Job Description

Reference # : 21-01653Title : Treasury Analyst
Location : Tampa, FL
Position Type : Right to Hire
Experience Level : Start Date / End Date : 11/29/2021 / 05/28/2022

Title: VP, Capital Ratio Forecasting

The Capital Planning Team focuses on high priority, enterprise-wide deliverables, with a focus on capital planning, regulatory stress testing (particularly CCAR/DFAST), and other Board and Risk Governance matters.
As a member of the Capital planning team, the VP for Stress Testing Economic analysis will support the team's analytical capabilities, conducting analysis that will allow for a deeper understanding of the drivers of the firm's financial forecasts. The analysis will cross all businesses, functions, and product areas, and will require significant interaction with senior management.
• Aggregate financial forecasts on a quarterly basis; prepare results for senior management
• Conduct deep-dive analysis related to specific forecast components (P&L and balance sheet) to enhance understanding of drivers and inform decision-making
• Develop a strong understanding of forecasting methodologies across businesses, products, and risks to drive analytical insights, highlight trends, and anticipate outcomes
• Assist in ad-hoc analysis, including competitor/peer analysis
• Present analytical insights to senior stakeholders across the firm
• Develop reports and tools as needed to enhance analytical capabilities
• Assist with qualitative strategic projects by conducting independent research and collaborating with internal stakeholders
• Assist with regulatory exams, responses to regulatory feedback, execution of corrective actions, and internal audit exams/reviews
• Build effective controls and automation across the reporting process to ensure accuracy and timeliness of information being presented to senior management
• Support a strong control environment across the Economic Analysis team; prepare and maintain process documents for areas of responsibility

Professional skills and Qualifications:
• Strong analytical and quantitative skills— ability to quickly assimilate & analyze
• Exceptional oral communication and writing skills, with ability to synthesize complex concepts/analyses, and translate into "user-friendly " language
• Ability to interact with differing levels of seniority, and to collaborate across the organization
• Enjoy variability in assignments, across a range of quantitative and non-quantitative projects
• Strong work ethic and attention to detail
• Self-motivated with the ability to make decisions in the absence of detailed instructions
• Experience and demonstrated ability to manage competing priorities in a complex and dynamic environment
• Deep, focused control mindset and eagerness to drive efficiencies and improve processes

• 5-8+ years of relevant experience within the financial services industry or management consulting; familiarity with market indicators and bank analysis preferred
• Experience managing large datasets and extrapolating insights
• Advanced Microsoft Office skills, particularly Excel and PowerPoint; additional experience with Tableau, SQL, Bloomberg, and/or S&P Global preferred
• Understanding of CCAR/DFAST regulatory environment preferred

• Bachelors degree or advanced degree


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